Trade Surveillance Manager (AO12ZX-4C144CF6) Abu Dhabi, United Arab Emirates


A leading international trading platform is looking to hire a Compliance Manager to join its growing team in Abu Dhabi.

The business operates across global markets and is continuing to expand its international presence.



Key Responsibilities:

  • Support the continued development and enhancement of the company’s global compliance framework across multiple jurisdictions and trading activities
  • Lead and oversee trade surveillance activities across physical, freight, and derivatives markets
  • Monitor and investigate trading activity, identifying potential market abuse, manipulation, or other compliance concerns
  • Define surveillance governance standards, escalation procedures, alert calibration, and documentation processes
  • Ensure adherence to exchange rules, reporting obligations, and relevant regulatory requirements
  • Conduct compliance risk assessments across trading activities and business practices
  • Provide regulatory and compliance guidance to internal stakeholders and trading teams
  • Support the development and implementation of compliance policies, procedures, and internal controls
  • Assist with KYC and enhanced due diligence reviews involving higher-risk counterparties
  • Support interactions with regulators, exchanges, and external authorities where required
  • Participate in internal investigations and support whistleblowing and ethics-related processes
  • Build strong working relationships across Front Office, Risk, Legal, and senior management functions

 

Key Requirements:

  • Bachelor’s degree in Finance, Law, Business, or a related discipline
  • Approximately 5–10 years of relevant compliance or trade surveillance experience within:
    • commodity trading houses
    • energy majors
    • investment banks
    • exchanges
    • regulators
    • surveillance providers
  • Strong experience across trade surveillance frameworks and surveillance system implementation/calibration
  • Knowledge of ICE, CME/NYMEX, or similar trading venues would be highly valued
  • Strong understanding of:
    • market abuse and market conduct
    • sanctions compliance
    • AML and KYC
    • anti-bribery and corruption
    • derivatives reporting obligations
    • exchange regulations
  • Experience dealing with international regulators and cross-border compliance matters
  • Strong communication skills with the ability to engage effectively with both commercial and control functions
  • Commercial mindset with the ability to operate in a fast-paced environment

 

Due to the high amount of applicants, only shortlisted candidates will be contacted.

 

If this sounds relevant, feel free to reach out for a confidential discussion:

patricia.deguzman@robertwalters.com